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Journal of Risk Finance

Journal of Risk Finance

ISSN: 1526-5943

This journal is a Hybrid Open Access journal
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Content: Table of Contents  |  Latest Issue RSS Latest Issue RSS
Information: Journal information  |  Editorial Team  |  Author Guidelines
Other: Journal News (inc. calls for papers)  |  Sample article  |  Recommend this journal

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CiteScore 2016: 0.09
CiteScoreTracker 2017: 0.38 (Updated Monthly)

Editorial team


Bonnie Buchanan
Seattle University, USA

Associate Editors

Danial Hemmings, Bangor University, UK
Michael B. Imerman, Lehigh University, USA
Scott D. Stewart, Johnson School of Management, Cornell University, USA


Valerie Robillard

Content Editor

Claudia Knight

Senior Editorial Advisory Board

Samantha Kappagoda, Risk Economics, Inc. and NYU Courant Institute, USA
David K A Mordecai, Risk Economics, Inc. and NYU Courant Institute, USA

Editorial Advisory Board

Kim Abildgren, Danmarks Nationalbank, Denmark
Tobias Basse, Nord/LB, Germany
J David Cummins, Temple University, USA
Jacqueline L Garner, Georgia Tech, USA
Anne Gron, NERA Economic Consulting, USA
James Guszcza, Deloitte Consulting LLP, USA
Jeffrey Harris, American University, USA
Mikael Juselius, Bank of Finland, Finland
Donald MacKenzie, University of Edinburgh, UK
Joseph R Mason, Louisiana State University, USA
Hersh Shefrin, Santa Clara University, USA
Betty Simkins, Oklahoma State University, USA
Lars Stentoft, Western University, Canada
Larry Swertloff, Hudson Bay Portfolios, USA
Dominique Torre, Université Nice Sophia Antipolis, France
Kathleen Walsh, The Australian National University, Australia
Anthony Webb, Boston College, USA
Nicholas Wilson, University of Leeds, UK
Stavros Zenios, University of Cyprus, Cyprus
Xin Zhou, NYU Shanghai, People's Republic of China